3Naruki Mori, Shigenori Shiratsuka, & hiroo Taguchi(2001), "Policy Response to the Post--Bubble Adjustments in Japan: A Tentative Review", Monetary & Economic (Special Edition) Feb.2001, English Publications,Institute for Monetary and Economic Studies, Bank of laban, pp.95.
4Hiroshi Nakaso (2001), "The Financial Crisis in Japan During the 1990s:How the Bank of Japan Responded and the Lesson Learnt",BIS Papers,NO 6,0ct.2001,pp.15,
5这两类债权的坏账准备金比率分别为19.1%-27.0%和59.3%--75.9%.
6Hiroshi Nakaso (2001), "The Financial Crisis in Japan During the 1990s:How the Bank of Japan Responded and the Lesson Learnt",BIS Papers,NO 6,0ct.2001,pp.13-4.
6[10]FDIC,USA.The FDIC and RTC Experience:Managing the Crisis.
7[11]Hiroshi Nakaso.The Financial Crisis in Japan During the 1990s:How the Bank of Japan Responded and the Lesson Learnt.BIS Papers,No6,Oct.2001.
8[12]KAMCO.The Best Solution for NPL Envisaging Future Strength.Korea Asset Management Corporation.
9[13]Price Water House Coopers.China NPL Investor Survey 2004.
10Dado,Marinela and Daniela Klingebiel,"Decentralized Creditor-Led Corporate Restructuring:Cross Country Experience."[J],Working Paper,No.2901,The World Bank.